* FTSE100 business
* Temp contract for 3-6 months
Summary of RoleThis is a fantastic opportunity for a part qualified accountant to join a dynamic finance team supporting the business. Located within the Leicestershire Head Office, the Cash Accounting team is responsible for delivering finance support to key stakeholders across the business for a variety of purposes including;
* Producing insightful reporting for key Business Stakeholders
* Cash flow monitoring and 3rd party management
* Supporting systems projects to deliver customer improvements
* Analysis of new payment options performance
* Supporting the onboarding of new Total Platform partners
Key Responsibilities:Finance Management
* Responsibility for International customer payments c. £0.6bn pa
* Ownership of tender reconciliations, ensure discrepancies are resolved in a timely manner
* Accountable for P&L charges c. £15m pa, and FX postings
3rd Party Management
* Day to Day Management of our 3rd party payment providers - Worldpay, Amex, PayPal, Klarna - to ensure they operate successfully and in accordance with our contracted service levels
* Ensure smooth onboarding of new Total Platform partners international websites by ensuring we receive and can reconcile settlements.
Analysis and reporting